v3.26.1
SCHEDULE OF RECONCILIATION OF THE DERIVATIVE LIABILITIES MEASURED AT FAIR VALUE (Details) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2026
Mar. 31, 2026
Jun. 30, 2026
Jun. 30, 2025
Fair Value, off-Balance-Sheet Risks, Disclosure Information [Line Items]        
Balance   $ 1,460,000 $ 1,460,000  
Reclassification of derivative liabilities upon conversion of convertible notes payable     2,257,179
Balance $ 348,830   348,830  
Convertible Note 1 [Member]        
Fair Value, off-Balance-Sheet Risks, Disclosure Information [Line Items]        
Balance 170,000 280,000 280,000  
Derivative liability recognized upon issuance of convertible note payable at fair value      
Reclassification of derivative liabilities upon conversion of convertible notes payable (186,289)    
Change in fair value of derivative liabilities – conversion remeasurement 16,289    
Change in fair value — period-end remeasurement (June 30, 2026) (110,000)    
Balance 170,000  
Convertible Note 2 [Member]        
Fair Value, off-Balance-Sheet Risks, Disclosure Information [Line Items]        
Balance 370,000 580,000 580,000  
Derivative liability recognized upon issuance of convertible note payable at fair value      
Reclassification of derivative liabilities upon conversion of convertible notes payable (64,495)    
Change in fair value of derivative liabilities – conversion remeasurement (10,000)    
Change in fair value — period-end remeasurement (June 30, 2026) (165,505) (210,000)    
Balance 130,000 370,000 130,000  
Convertible Note 3 [Member]        
Fair Value, off-Balance-Sheet Risks, Disclosure Information [Line Items]        
Balance 390,000 600,000 600,000  
Derivative liability recognized upon issuance of convertible note payable at fair value      
Reclassification of derivative liabilities upon conversion of convertible notes payable (76,164)    
Change in fair value of derivative liabilities – conversion remeasurement 150,000    
Change in fair value — period-end remeasurement (June 30, 2026) (303,836) (210,000)    
Balance 160,000 390,000 160,000  
Convertible Note 4 [Member]        
Fair Value, off-Balance-Sheet Risks, Disclosure Information [Line Items]        
Balance 510,000  
Derivative liability recognized upon issuance of convertible note payable at fair value   2,310,000    
Reclassification of derivative liabilities upon conversion of convertible notes payable (730,000) (1,200,231)    
Change in fair value of derivative liabilities – conversion remeasurement 220,000 (460,917)    
Change in fair value — period-end remeasurement (June 30, 2026) (138,852)    
Balance 510,000  
Convertible Notes Payable [Member]        
Fair Value, off-Balance-Sheet Risks, Disclosure Information [Line Items]        
Balance 1,440,000 1,460,000 1,460,000  
Derivative liability recognized upon issuance of convertible note payable at fair value   2,310,000    
Reclassification of derivative liabilities upon conversion of convertible notes payable (1,056,948) (1,200,231)    
Change in fair value of derivative liabilities – conversion remeasurement 376,289 (460,917)    
Change in fair value — period-end remeasurement (June 30, 2026) (469,341) (668,852)    
Balance $ 290,000 $ 1,440,000 $ 290,000